Mapp v. Ohio: Doomed from the Beginning?

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Mapp v. Ohio: Doomed from the Beginning?
George C. Thomas III
*
TRACEY MACLIN, THE SUPREME COURT AND THE FOURTH AMENDMENT’S
EXCLUSIONARY RULE (Oxford University Press 2013)
I am sometimes guilty of reading only a paragraph or two of a book review.
In case any of my readers are also guilty of that sin, let me say here that Tracey
Maclin’s book on the exclusionary rule is one of the best books ever written about
the Fourth Amendment. It is also one of the best books about how the Court
creates constitutional doctrine. Maclin’s book is based on exhaustive research with
primary sources—principally, papers of justices that include letters, memos, notes
from conferences, and drafts of opinions. By drawing on those sources, Maclin
tells a behind-the-scenes story that unveils the deeper meaning of the published
opinions.
I will unpack my thesis in more detail as we go along, but what is new and
fresh is evidence that the seeds of destruction of the Fourth Amendment
exclusionary rule were planted much earlier than I thought and by its creator, the
Warren Court. Indeed, the same justice who wrote the majority opinion in Mapp v.
Ohio 1 four years later wrote the opinion that doomed Mapp, at least a robust
version of Mapp. The villain, or hero depending on your point of view, is Justice
Tom Clark, and the case is Linkletter v. Walker. 2 But, wait, you say. Linkletter is a
retroactivity case, and a failed one at that. What does it have to do with Mapp’s
demise? The answer is everything, though Linkletter got a minor assist from
another Warren Court case, Alderman v. United States, 3 and a major assist from the
Burger Court in United States v. Peltier. 4 Now wait, again: at least I’ve read
Alderman, but it was a standing case; I’ve never read Peltier.
Nor had I until I read Maclin’s book. My thesis here is that one can draw a
straight line from Peltier to Herring v. United States, 5 a Roberts Court case setting
the stage for what might be a “final solution” to the exclusionary rule as envisioned
*
Rutgers University Board of Governors Professor of Law & Judge Alexander P. Waugh,
Sr. Distinguished Scholar. Gwyneth O’Neill, Rutgers Law 2014, provided invaluable research help.
1
367 U.S. 643 (1961).
2
381 U.S. 618 (1965).
3
394 U.S. 165 (1969).
4
422 U.S. 531 (1975).
5
555 U.S. 135 (2009).
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by Mapp. 6 First, I want to lay the groundwork for the argument. As students of
the Fourth Amendment know, the road from a rule of suppression in federal cases
to one that applies also in state courts—which is conventionally dated from the
1914 case of Weeks v. United States 7 to Mapp v. Ohio in 1961—was far from
smooth. Because Weeks hewed to Chief Justice Marshall’s opinion in Barron v.
Baltimore 8 that the Fourth Amendment did not apply to the states, the Court had to
deal, beginning in 1927, with the “silver platter” doctrine. State officials who
seized evidence in a manner that would violate the federal constitution could turn
the evidence over to federal prosecutors on a “silver platter.” It was admissible as
long as there was no federal involvement in the discovery of the evidence.9 There
was, naturally, the possibility of a “reverse silver platter” doctrine where federal
officials turned evidence seized in violation of the Fourth Amendment over to state
prosecutors in states that had no exclusionary rule.10 The Court also had to deal
with the awkward compromise of Wolf v. Colorado, 11 which incorporated the
“security of one’s privacy against arbitrary intrusion by the police”12 into the
Fourteenth Amendment but then withheld the federal remedy of exclusion.
By the time the Court found five votes to apply the federal exclusionary rule
to the states, one senses the relief in Justice Clark’s majority opinion in Mapp.
Applying the exclusionary rule to the states allowed the Court to extricate itself
from the complications of excluding reliable evidence in some criminal trials but
not others.
Presently, a federal prosecutor may make no use of evidence illegally
seized, but a State’s attorney across the street may, although he
supposedly is operating under the enforceable prohibitions of the same
Amendment. Thus the State, by admitting evidence unlawfully seized,
serves to encourage disobedience to the Federal Constitution which it is
bound to uphold . . . . In non-exclusionary States, federal officers, being
human, were by it invited to and did, as our cases indicate, step across
the street to the State’s attorney with their unconstitutionally seized
6
See Albert W. Alschuler, Herring v. United States: A Minnow or a Shark?, 7 OHIO ST. J.
CRIM. L. 463 (2009) (raising the possibility that Herring might portend a radical change to the
exclusionary rule).
7
232 U.S. 383 (1914). I believe that the modern exclusionary rule began in 1920 with
Justice Holmes’s opinion for the Court in Silverthorne Lumber Co. v. United States, 251 U.S. 385
(1920), but I need not defend that claim in this review.
8
32 U.S. (7 Pet.) 243 (1833).
9
See Gambino v. United States, 275 U.S. 310, 317 (1927) (dicta); Byars v. United States,
273 U.S. 28, 33 (1927) (dicta).
10
See Rea v. United States, 350 U.S. 214 (1956) (upholding an injunction that prevented a
federal official from turning evidence over to New Mexico prosecutors).
11
338 U.S. 25 (1949).
12
Id. at 27.
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evidence. Prosecution on the basis of that evidence was then had in a
state court in utter disregard of the enforceable Fourth Amendment. If
the fruits of an unconstitutional search had been inadmissible in both
state and federal courts, this inducement to evasion would have been
sooner eliminated.13
Finally, the Court seems to say, we have licked the problem of inconsistent
application of the exclusionary rule. Well, yes, but the Court’s problems with the
exclusionary rule were just beginning. Maclin points out that Justice Clark’s
opinion in Mapp is the first of the problems. (Pp. 92–93.) It reads as if it were
written by a timid committee that felt it had to treat Wolf with deference. Why
extend the exclusionary rule to the states? Well, we have learned in the years since
Wolf that nothing else has worked to deter violations of the Fourth Amendment.
Though Clark offered other reasons to require the states to use the exclusionary
rule, the only one that justified overruling Wolf (decided only twelve years earlier)
was the lack of deterrence of other approaches. Tying exclusion to deterrence is
the weak link that opponents will hammer for the next 50 years, and perhaps the 50
years after that, too.
A stronger opinion would have stated that Wolf was a mistake; we are
extending the Fourth Amendment, lock, stock, and barrel, to the states; and we
embrace what Justice Holmes said about exclusion in Silverthorne Lumber Co. v.
United States: “The essence of a provision forbidding the acquisition of evidence
in a certain way is that not merely evidence so acquired shall not be used before
the Court but that it shall not be used at all.” 14 As Maclin says, “Clark’s opinion
did not have the focus or clarity of Silverthorne Lumber . . . .” (P. 99.) To be sure,
Clark added a paragraph about “the imperative of judicial integrity,” 15 to which I
shall return in a moment, but it reads like an after-thought. He uses judicial
integrity not as a central argument but rather to minimize Cardozo’s famous claim
that the exclusionary rule frees the guilty. 16 Mapp would have had a more solid
foundation if Clark had made judicial integrity central to the argument; in a later
dissent, for example, Justice Brennan said that judicial integrity meant that judges
should “avoid the taint of partnership in official lawlessness.” (P. 99.) 17
Indeed, a question lurking here is why Warren assigned the opinion to Clark.
Why wouldn’t the Chief Justice want to write it himself, as he did Miranda v.
Arizona 18 and Terry v. Ohio? 19 Miranda was tricky business because the Court
13
Mapp v. Ohio, 367 U.S. 643, 657–58 (1961).
251 U.S. 385, 392 (1920).
15
Mapp, 367 U.S. at 659.
16
Id.
17
Maclin here quotes United States v. Calandra, 414 U.S. 338, 357 (1974) (Brennan, J,
dissenting)).
18
384 U.S. 436 (1966).
19
392 U.S. 1 (1968).
14
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invented a series of warnings to protect against what it characterized as inherently
coercive custodial police interrogation; both of those doctrinal moves were utterly
unprecedented. Terry was tricky business because the Court invented a new kind
of seizure and search—stop and frisk—that would be governed by different
standards from the traditional arrest and search incident to arrest. In some ways,
Mapp was even trickier business. A bare majority was going to overrule an
opinion written only twelve years earlier by Justice Frankfurter, generally regarded
as the Court’s most scholarly justice, and Frankfurter was still on the Court.
Moreover, as Justice Harlan stresses in his dissent, the Court overruled Wolf
without the benefit of the question being briefed at all or argued in any detail. 20
Harlan accused the majority of changing its mind on Wolf for no good reason: “It
certainly has never been a postulate of judicial power that mere altered disposition,
or subsequent membership on the Court, is sufficient warrant for overturning a
deliberately decided rule of Constitutional law.” 21
As to why Warren did not take the opinion for himself, perhaps as Chief
Justice, he did not want to unnecessarily alienate Frankfurter, who apparently was
difficult to “manage.” (Pp. 87–88.)22 One historical account has Warren asking
Black to write Mapp after Black agreed that Wolf should be overruled and Black
refusing. (P. 87 n.21.) 23 Black’s refusal makes sense because he had joined the
majority in Wolf. But why not Brennan?
Justice Black’s critical fifth vote actually provides another reason Mapp was
unstable. He joined Clark’s opinion, but he filed a concurring opinion that borders
on the bizarre. Maclin says, with more diplomacy: “In the final analysis, Black’s
legal reasoning in Mapp is unconvincing and mistaken.” (P. 103.) Prior to Mapp,
Justice Black had consistently rejected a Fourth Amendment exclusionary rule
because it is not in the language of the Fourth Amendment. He joined the majority
in Mapp because he was suddenly willing to adopt the rationale of Boyd v. United
States, 24 an 1886 case holding that the Fifth Amendment right against compelled
self-incrimination when combined with the Fourth Amendment somehow, almost
magically, creates an exclusionary rule in Fourth Amendment cases. In his
concurring opinion in Mapp, Black said that while a Fourth Amendment
exclusionary rule is “perhaps not required by the express language of the
Constitution strictly construed, [it] is amply justified from an historical standpoint,
soundly based in reason, and entirely consistent with what I regard to be the proper
20
Mapp, 367 U.S. at 675–77 (Harlan, J., dissenting) (noting, id. at 676, that the Wolf
“question was briefed not at all and argued only extremely tangentially”).
21
Id. at 677 (Harlan, J., dissenting).
22
See, e.g., (P. 87–88 n.21.) (at one of the conferences on Mapp, “Frankfurter became violent.
He shook, almost cried . . . .”) (quoting POLLY J. PRICE, JUDGE RICHARD ARNOLD: A LEGACY OF
JUSTICE ON THE FEDERAL BENCH 54 (2009)).
23
See ROGER K. NEWMAN, HUGO BLACK: A BIOGRAPHY 555 (1994).
24
116 U.S. 616 (1886).
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approach to interpretation of our Bill of Rights . . . .” 25 It is hard to know what that
even means, and the introduction of the Fifth Amendment as a crucial part of the
explanation of Black’s fifth vote surely “undermined the legal standing of Mapp.”
(P. 103.)
A casual student of the Fourth Amendment exclusionary rule would be
forgiven for thinking that nothing much happened between Mapp in 1961 and 1974
when United States v. Calandra26 held that the exclusionary rule did not apply in
grand jury hearings. Maclin shows us, however, that Mapp was undone by the
Warren Court in its twilight years. Begin with the 1965 case of Linkletter v.
Walker. Though on the surface Linkletter was only about whether to apply Mapp
retroactively, it was substantively much, much more. As Maclin puts it, “Linkletter
rejected the Weeks-Silverthorne Lumber view that exclusion was compelled by the
Fourth Amendment. Looking back, it is now clear that Linkletter reconstructed the
foundation upon which the exclusionary rule rested.” (P. 108.) This occurred only
four years after Mapp and with the Warren Court at its most liberal point: Warren,
Douglas, Brennan, Goldberg, and Clark formed a solid liberal bloc of five, and
Black provided a sixth vote in favor of a broad reading of Mapp.
But only two justices—Douglas and Black—favored applying Mapp
retroactively. (P. 110.) And in an historical irony, Justice Clark wrote the opinion
in Linkletter, effectively killing his own creation. Maclin is less dramatic on this
point, saying that “Clark’s opinion in Linkletter was a major retreat from Mapp.”
Here, Maclin corrects the historical record: “Liberal legal scholars and the press
are quick to blame the Burger and Rehnquist Courts for dismantling the
exclusionary rule. But Linkletter did much of the dismantling long before the
Burger and Rehnquist Courts came upon the scene.” (P. 115.)
The problem was that the Court had yet to work out a coherent theory of
retroactivity involving new criminal procedure rules. To that point, all of the new
criminal procedure constitutional rules had been applied not only to cases on direct
review but also to collateral attacks that prisoners filed after their convictions had
become final. The new criminal procedure rules prior to Mapp had, however,
involved challenges to the fairness of the process: failure to provide an indigent a
transcript for the appeal; failure to shield the jury from hearing coerced
confessions; and failure to provide indigents with counsel. 27 One can easily see
that facing a prosecutor without counsel or being tried before a jury that has heard
the defendant’s confession is a fundamentally unfair trial; and an appeal where the
indigent appellant did not have a copy of the transcript is hardly a fair appeal.
Mapp presented the Court with its first new criminal procedure rule that did
not call into question the fairness of the process. The justices manifested their
concern with this difference during conference. Chief Justice Warren said that the
25
Mapp, 367 U.S. at 662–63 (Black, J., concurring).
414 U.S. 338 (1974).
27
See Griffin v. Illinois, 351 U.S. 12 (1956) (transcript); Jackson v. Denno, 378 U.S. 368
(1964) (coerced confession); Gideon v. Wainwright, 372 U.S. 335 (1963) (right to counsel).
26
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case “greatly bothered him,” and Justice Brennan said that “this case has given
[me] great trouble.” (Pp. 109–110) Justices Clark, Harlan, Stewart, and Goldberg
expressed similar reservations. (P. 110.) The Court could have done what it would
eventually do in Teague v. Lane: 28 restrict new criminal procedure rulings such as
Mapp to cases not yet tried or that are on direct appeal (with some exceptions
unlikely to arise today). Linkletter, who was in prison when Mapp was decided,
would under the Teague rule be barred from benefitting from its holding. In 1965,
however, that idea was not part of the retroactivity conversation. Thus, unless the
Court came up with another way to limit Mapp, it faced the prospect of thousands
of prisoners being freed via collateral attack. No such cataclysmic consequences
attended the earlier rules held to be retroactive. 29 Because of the fear of thousands
of collateral attacks, and because the fairness of a trial or appeal was not directly
affected by exclusion, the Court decided to weigh the pros and cons of making a
new rule available on collateral attack. This led Justice Clark, speaking for seven
members of the Court, to say some pretty remarkable, and destabilizing, things
about Mapp.
Looking for a reason not to apply Mapp retroactively, Clark settled on
identifying the “prime purpose” of Mapp as the deterrence of “lawless police
action.” 30 That provided a compelling reason not to apply Mapp to police conduct
that occurred before it was decided. In Clark’s understated manner: “We cannot
say that this purpose would be advanced by making the rule retrospective.”31 As I
noted earlier, part of Clark’s opinion in Mapp was a stirring paragraph stressing
that excluding evidence seized in violation of the Fourth Amendment was required
by judicial integrity.
Responding to Judge Cardozo’s criticism that the
exclusionary rule allows the criminal “to go free because the constable has
blundered,” 32 Clark wrote in Mapp:
In some cases this will undoubtedly be the result. But, as was said in
Elkins [overruling the silver platter doctrine], “there is another
consideration—the imperative of judicial integrity.” The criminal goes
free, if he must, but it is the law that sets him free. Nothing can destroy a
28
489 U.S. 288 (1989).
The transcript case would affect only convictions that had been appealed and then only in
states that did not provide free transcripts to indigents; Justice Black’s plurality opinion assures us
that “[m]any States” already provided free transcripts to indigent appellants. Griffin, 351 U.S. at 19.
The case holding that juries should not be permitted to determine whether a confession is coerced
dealt with a procedure in place in only fifteen states. Jackson, 378 U.S. at 403. Moreover, the
number of coerced confessions claims is likely far smaller than Fourth Amendment violations.
Finally, Gideon v. Wainwright affected only a few states; most states already provided indigent
felony defendants with counsel.
30
Linkletter v. Walker, 381 U.S. 618, 636–37 (1965).
31
Id. at 637.
32
Mapp v. Ohio, 367 U.S. 643, 659 (1961) (quoting People v. Defore, 150 N.E. 585, 587
(1926)).
29
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government more quickly than its failure to observe its own laws, or
worse, its disregard of the charter of its own existence. As Mr. Justice
Brandeis, dissenting, said in Olmstead v. United States: “Our
Government is the potent, the omnipresent teacher. For good or for ill, it
teaches the whole people by its example. . . . If the Government
becomes a lawbreaker, it breeds contempt for law; it invites every man to
become a law unto himself; it invites anarchy.” 33
In Clark’s Linkletter opinion, by contrast, there is a single reference to judicial
integrity, and the scope of the concept has been narrowed from the Government as
lawbreaker to the silver platter problem. The effect of Mapp, Clark explained, was
to “withdraw the invitation which Wolf extended to federal officers to step across
the street to the state’s attorney with their illegal evidence”; Mapp thus “reject[ed]
the double standard of admissibility of illegal evidence which tends to breed
suspicion among the officers, encourages disobedience to the Constitution on the
part of all the participants and violates ‘the imperative of judicial integrity.’” 34 The
very next sentence shifts the focus back to deterrence:
In short, just as other cases had found the exclusionary rule to be a
deterrent safeguard necessary to the enforcement of the Amendment,
Mapp bottomed its rule on its necessity as a “sanction upon which [the
Fourth Amendment’s] protection and enjoyment had always been
deemed dependent under the Boyd, Weeks and Silverthorne cases.” 35
And then, a page later, the pièce de résistance: “[T]he ruptured privacy of the
victims’ homes and effects cannot be restored. Reparation comes too late.”36 All
of a sudden the focus is on the officer, not the government, as lawbreaker and the
purpose of exclusion is deterrence.
Of course, as Maclin points out, Clark’s “ruptured privacy” argument proves
too much. It is true in every case of exclusion that reparation comes too late.
“Clark’s reasoning, thus, would support overruling Mapp—and Weeks.” (P. 112.)
Despite his overblown rhetoric, Clark’s strategy put to rest the fears of a general
“gaol delivery” and persuaded even Warren, Brennan, and Goldberg to join Clark’s
Linkletter opinion. 37 Maclin is right that Linkletter was the end of “the short-lived
33
Id. at 659 (citations omitted).
Linkletter, 381 U.S. at 634–35.
35
Id. at 635 (brackets in original) (citations omitted) (quoting Mapp, 367 U.S. at 655).
36
Id. at 637.
37
Once the subject of a general gaol delivery, Maclin seeks to minimize that risk by noting
correspondence between Justices Clark and Harlan in 1961 in which Clark claims that few prisoners
would have objected to evidence on Fourth Amendment grounds prior to Mapp because such an
objection would, at the time, have been futile. (P. 114.) That was probably an accurate statement of
the law in 1961, but two years later, in Fay v. Noia, the Court established that prisoners could prevail
34
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attempt to ground the exclusionary rule in a ‘logically and constitutionally
necessary’ deduction from a fourth amendment ‘right to privacy.’” (P. 111.) 38
Maclin concludes: “After Linkletter, the rule would forever be viewed by a
majority of the Court as a deterrent-based remedy, and not mandated by the
Constitution itself.” (P. 111.) Linkletter’s retroactivity holding was overruled in
Teague v. Lane, 39 but Clark’s opinion continues to churn out damage to the
exclusionary rule even today.
The next blow to Mapp, albeit not as hard a blow as Linkletter, was also
struck by the Warren Court. The issue in Alderman v. United States40 was whether
the deterrence rationale of Linkletter conferred standing on defendants who lacked
traditional standing to assert a Fourth Amendment claim. The notion, of course, is
that more deterrence results if the right to suppress extends beyond those whose
premises are searched or whose conversations are overheard. The Court,
unsurprisingly, rejected this claim. Only Justice Fortas, joined by Justice Douglas,
would have granted standing to anyone who was a target of the investigation. 41
Fortas read Weeks and Mapp broadly:
[I]f the exclusionary rule follows from the Fourth Amendment itself,
there is no basis for confining its invocation to persons whose right of
privacy has been violated by an illegal search. The Fourth Amendment,
unlike the Fifth, is couched in terms of a guarantee that the Government
will not engage in unreasonable searches and seizures. It is a general
prohibition, a fundamental part of the constitutional compact, the
observance of which is essential to the welfare of all persons. 42
Maclin concludes: “This argument, one would think, might have persuaded
on federal habeas corpus petitions even when they did not comply with state procedural rules as long
as the failure was not a deliberate by-pass of “the orderly procedure of the state courts.” 372 U.S.
391, 438 (1963). As Fay was the law when the Court decided Linkletter, I suspect the risk of a
general gaol delivery did indeed exist in 1965.
38
Maclin here quotes Steven R. Schlesinger & Bradford Wilson, Property, Privacy, and
Deterrence: The Exclusionary Rule in Search of a Rationale, 18 DUQ. L. REV. 225, 237 (1980) (the
internal quotation marks in Schlesinger & Wilson do not provide a source).
39
It is not technically accurate to say that Teague overruled Linkletter. Only three other
justices joined the parts of Justice O’Connor’s opinion flatly rejecting Linkletter in the context of
collateral attacks on convictions. But the next year, Teague was endorsed and clarified in Butler v.
McKellar, which commanded a majority of the Court. 494 U.S. 407 (1990).
40
394 U.S. 165 (1969).
41
Id. at 200 (Fortas, J., concurring in part and dissenting in part); id. at 187 (Douglas, J.,
concurring) (stating that he concurs in Part III of Justice Fortas’s opinion “and would hold that the
protection of the Fourth Amendment includes also those against whom the investigation is directed”).
42
Id. at 205 (Fortas, J., dissenting). Later in the opinion, in recognition of the standing cases
that the Court had decided, Fortas limited his view of the right to suppress to those against whom a
search is directed. Id. at 208.
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liberal members of the Alderman Court like Warren, Brennan, and Marshall. But it
did not.” (P. 123.) In rejecting the robust standing claim, Alderman treated
deterrence as if it were the only purpose of suppressing evidence. To be sure, the
defendants argued deterrence as the basis for broadening the standing doctrine, but
the Court’s explanation of the relationship between standing and exclusion
suggests that exclusion is about deterrence and only deterrence: “The necessity for
that predicate [traditional standing] was not eliminated by recognizing and
acknowledging the deterrent aim of the rule.” 43 Moreover, Alderman phrased the
issue in terms of marginal deterrence: “But we are not convinced that the
additional benefits of extending the exclusionary rule to other defendants would
justify further encroachment upon the public interest in prosecuting those accused
of crime and having them acquitted or convicted on the basis of all the evidence
which exposes the truth.” 44
Once again, I agree with Maclin, who puts the point beautifully:
In the post-Mapp era, the Warren Court altered the foundation of the
exclusionary rule: exclusion was grounded on a deterrence model. This
was a significant change from the premise of Mapp. In fact, it was a
return to Frankfurter’s view of the exclusionary rule. Having finally
decided to overrule Wolf in a revolutionary ruling that no one predicted,
by the end of the 1960s, the justices had started a slow, but discernible,
retreat from the implications and principles contained in Mapp. (P. 125.)
A discerning reader in 2014 could go back to Linkletter and Alderman and see
the rhetorical damage done to Mapp. But the importance of the next case comes
entirely from Maclin’s archival research. This is far from the only example Maclin
gives of behind-the-scenes jockeying to undermine or overrule the exclusionary
rule, but it is, I think, the best example. The conference that preceded Whiteley v.
Warden, 45 decided in 1971, makes clear that at least three, and perhaps four,
members of the Court were ready to overrule Mapp. When the opinion appeared,
however, Whiteley was a most unremarkable case. Whiteley argued that the arrest
warrant that led to the discovery of incriminating evidence of burglary was not
based on probable cause. The Court agreed. One of the State’s arguments was that
the arresting officers, who did not secure the warrant, could rely on the existence
of the warrant; if it turned out the warrant was no good, the arrest was still good. 46
This, of course, is a good-faith argument. Oddly enough, the Court heard the case
only because Justice White rejected the good-faith argument that he would
43
44
45
46
Id. at 174–75 (majority opinion).
Id.
401 U.S. 560 (1971).
Id. at 568.
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embrace thirteen years later when he wrote United States v. Leon.47 White’s
dissent from the initial decision to deny certiorari was eventually joined by Justices
Douglas, Harlan, and Marshall. The Court restored the case to the docket. (P.
131.)
Even though neither litigant had addressed the exclusionary rule, the
conference spoke of little else. Speaking first, Chief Justice Burger agreed with
Justice White that if the sheriff who obtained the warrant had no right to arrest
Whiteley, he could not create that right by telling another officer about the warrant.
(P. 131.) But then Burger said, “we should put an end to the exclusionary rule”
and concluded: “I’d overrule Mapp and Weeks.” (P. 131.) Burger voted to affirm
Whiteley’s conviction on that basis. Justice Black, without stating his theory, also
voted to affirm the conviction. Justice Douglas passed. Justice Harlan, who
strongly believed in precedent being settled law until a majority could be found to
overrule it, said that he “would overrule Mapp if a Court can be mustered for it.”
Justice Stewart stated that he agreed “with everything that John Harlan said.”
Justice White said he would not overrule either Mapp or Weeks. Justice Blackmun
said that the case “really gets down to whether we should overrule Mapp.” (P.
131.)
So at that point, three justices had expressed the view that Mapp should be
overruled. Justice Blackmun, who had expressed deep skepticism about the
exclusionary rule as early as 1961, was potentially a fourth vote. (Pp. 274–75.)
Black was thus the key vote here, as he had been in Mapp. If Black’s vote to
affirm the conviction was based on dissatisfaction with the exclusionary rule, the
Court presumably had five votes to overrule Mapp even though Justices Powell
and Rehnquist—skeptics of the exclusionary rule—were not yet on the Court.
One wonders if during the conference on Whiteley, Burger, Harlan, and
Stewart believed, or hoped, that Black had changed his mind on the exclusionary
rule. If so, and if Blackmun could be brought aboard, the Court would have five
votes to overrule Mapp a mere ten years after it was handed down. Having
changed his mind once in his judicial career on this issue, however, Black was
probably reluctant to change it again. Mapp survived. Justice Harlan wrote the
opinion for the Court, holding that probable cause was lacking and also rejecting
the State’s argument that the arresting officers could rely on the existence of the
warrant. In his dissent in Whiteley, Black argued that the warrant was supported
by probable cause. That explained his vote to affirm the conviction. We will never
know whether Black refused to join in overruling Mapp because he believed that
the exclusionary rule remained a good idea or because of his unwillingness to
waffle again. He died nine months later.
Now I return to Calandra, which held that the exclusionary rule does not
apply to grand jury proceedings. Writing for the Court, Justice Powell seized on
the “[r]eparation comes too late” rhetoric that Justice Clark helpfully put in his
47
468 U.S. 897 (1984).
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Linkletter opinion. 48 Of course, it is equally empty rhetoric in the grand jury
context too. The holding of Calandra is not particularly surprising or important.
Grand juries historically have operated with few restrictions on the evidence they
can hear. As the Court pointed out, “[A]n indictment valid on its face is not subject
to challenge on the ground that the grand jury acted on the basis of inadequate or
incompetent evidence, or even on the basis of information obtained in violation of
a defendant’s Fifth Amendment privilege against self-incrimination.”49 What is
significant is that the Court once again pressed deterrence to the center stage as the
only rationale for applying the exclusionary rule. And the best way to answer the
deterrence question, as Alderman had suggested five years earlier, is to ask what
marginal deterrence is achieved by a particular application of the exclusionary rule.
“Any incremental deterrent effect which might be achieved by extending the rule
to grand jury proceedings is uncertain at best.”50 And, “[w]e therefore decline to
embrace a view that would achieve a speculative and undoubtedly minimal
advance in the deterrence of police misconduct at the expense of substantially
impeding the role of the grand jury.” 51
In 1975, Justice Rehnquist took the next, very big step in another retroactivity
case, United States v. Peltier. 52 In 1973, the Court had held in Almeida-Sanchez v.
United States that searches away from the border, not at a check point, had to be
53
based on probable cause. The search in Peltier occurred four months before
Alemida-Sanchez was decided. The government conceded in the Supreme Court
that the Peltier search violated Alemida-Sanchez, but argued that it should not be
given retroactive effect. (P. 156.) At the conference, the Court divided over
whether retroactivity principles compelled reversal. Rehnquist, however, claimed
that “exclusionary rule rationale” required reversal without regard to retroactivity.
(P. 157.) Because the agents in Peltier could not know what the rule would be in
Alemida-Sanchez, they were acting in good faith when they made the stop. As
there were five votes to reverse the lower courts and affirm the conviction, Chief
Justice Burger assigned the opinion to Rehnquist.
Rehnquist wrote an opinion based partly on retroactivity and partly on the
lack of deterrence when the officers could not have known about a later case. He
led off with a sentence that stressed good faith: “Four months before this Court’s
decision in Almeida-Sanchez v. United States, respondent was stopped in his
automobile by a roving border patrol, and three plastic garbage bags containing
270 pounds of marihuana were found in the trunk of his car by Border Patrol
48
49
50
51
52
53
United States v. Calandra, 414 U.S. 338, 347 (1974).
Id. at 345 (citations omitted).
Id. at 351.
Id. at 351–52.
422 U.S. 531 (1975).
413 U.S. 266, 273 (1973).
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Agents.” 54 In the closing paragraph in his opinion, Rehnquist closed the trap: “If
the purpose of the exclusionary rule is to deter unlawful police conduct,” then the
exclusionary rule should apply “only if it can be said that the law enforcement
officer had knowledge, or may properly be charged with knowledge, that the
search was unconstitutional under the Fourth Amendment.” 55
It is important to understand how Peltier differs from the cases carving out a
venue in which the exclusionary rule could never be deployed. Calandra carved
out the grand jury venue. On July 6, 1976, the Court carved out two additional
venues that Mapp could not reach: civil forfeiture cases56 and federal habeas
corpus cases when the state courts had considered the Fourth Amendment issue. 57
Peltier, on the other hand, was the first step toward a broad-based exception to the
exclusionary rule that would apply when individual officers acted in good faith. In
1984, United States v. Leon built on the deterrence language from Peltier to hold
that the exclusionary rule would not apply when an officer relied in good faith on a
58
search warrant.
This is not based on exempting an entire venue from the
exclusionary rule, because it applies in criminal cases, but it is limited to a
category of searches. What appears to be bubbling up in the Roberts Court is a
more robust good-faith exception for individual police mistakes not limited to a
category, a view of the Fourth Amendment that I will argue follows from Peltier.
I think it fair to say that the Court, even the Warren Court, could not in the
cold light of day face the fruits of its handiwork. As I have written elsewhere, it is
one kind of legal regime to impose an exclusionary rule on a few federal
prosecutions of gamblers, counterfeiters, drug users, and unlicensed distillers.59
Moreover, it was easy to extend the exclusionary rule to the states in Mapp. Even
though police were looking for evidence of bomb-making and gambling, they
found only a few obscene items. 60 It is a very different legal reality when the
Court’s handiwork denies reliable evidence of murder, drug distribution, and even
burglary. 61 In addition, the police violation of the Fourth Amendment in Mapp was
54
Peltier, 422 U.S. at 532 (citation omitted).
Id. at 542.
56
United States v. Janis, 428 U.S. 433 (1976).
57
Stone v. Powell, 428 U.S. 465 (1976).
58
468 U.S. 897, 913, 922 (1984).
59
George C. Thomas III, When Constitutional Worlds Collide: Resurrecting the Framers’
Bill of Rights and Criminal Procedure, 100 MICH. L. REV. 145 (2001).
60
Mapp v. Ohio, 367 U.S. 643, 644–45 (1961). One irony of the exclusionary rule being
extended to the states in Mapp is that certiorari was granted, and the case was briefed and argued, on
the issue of whether a state could make illegal the possession of obscenity in a home; the Court
would decide that issue, in favor of the defendant, eight years later in Stanley v. Georgia, 394 U.S.
557, 559 (1969).
61
The habeas petitioner in Stone v. Powell, 428 U.S. 465 (1976), was in prison for murder.
Linkletter was in prison for burglary. Leon was charged with “selling large quantities of cocaine and
methaqualone” from his home. United States v. Leon, 468 U.S. 897, 901 (1984). The defendant in
55
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MAPP V. OHIO: DOOMED FROM THE BEGINNING?
301
flagrant; the police acted in a “high-handed manner” and ran “roughshod over”
“Miss Mapp,” in Justice Clark’s terminology. 62 When the police act in good faith,
by definition there is no flagrant violation of the Fourth Amendment. In sum, the
exclusionary rule is a much more costly enterprise when it applies to good-faith
violations in state cases when gruesome crimes have been committed.
So far I have covered the period from Weeks in 1914 to Calandra in 1974 and
Peltier in 1975 with a brief mention of United States v. Leon in 1984. I have
highlighted the little understood contribution to the undoing of the exclusionary
rule by two retroactivity cases, Linkletter and Peltier. Much happens to the
exclusionary rule after 1975, but I will leave most of that story to Maclin. He tells
the story very well, offering insight after insight. For example, he demonstrates
that Chief Justice Burger’s triumph (in the war against the exclusionary rule) is to
engraft onto the rule an inevitable discovery exception. Maclin endorses Albert
Alschuler’s claim, and I think they are right, that the inevitable discovery
exception is “a virus capable of killing” the exclusionary rule. (P. 286.) 63 I will
turn to a recent example of this virus in a moment.
Another example of insightful story-telling is the behind-the-scenes account
of New Jersey v. T.L.O, 64 which was initially briefed and argued on the issue of
whether the exclusionary rule should apply when the search is conducted by a state
actor who is not a police officer—a school vice-principal in the case before the
Court. The New Jersey Supreme Court had held that the evidence was
inadmissible in the juvenile proceeding. 65 In the initial conference, the Court was
split four-to-four with Rehnquist undecided. (P. 267.) After the conference,
Rehnquist sent the other justices a memo that Brennan described as “the most
forthright memo of the Term.” (P. 267.) It said, in its entirety: “I now vote to
reverse this case. Whatever may be the arguments for and against this particular
limitation on the Exclusionary Rule, my disagreement with Mapp v. Ohio remains
so fundamental that I will seize any opportunity to limit the damage done by that
case.” (P. 267.) The Court ultimately decided not to answer the exclusionary rule
question; it ordered the case be reargued on the question of whether the search
violated the Fourth Amendment. (P. 272.) The Court ultimately held, six to three,
that the search was valid; the exclusionary rule question was avoided.
Now I want to fast forward to 2009 to show the reader the bridge that I see
(thanks to Maclin’s book) between Peltier, ostensibly a retroactivity case, and the
exclusionary rule machinations of the Roberts Court. Peltier stressed that there
was no reason to give retroactivity effect to the exclusionary rule because the
Massachusetts v. Sheppard, 468 U.S. 981 (1984), another “good-faith” case, was convicted of
murder.
62
Mapp, 367 U.S. at 644–45.
63
Here, Maclin quotes Albert Alschuler, The Exclusionary Rule and Causation: Hudson v.
Michigan and Its Ancestors, 93 IOWA L. REV. 1741, 1808 n.331 (2008).
64
469 U.S. 325 (1985).
65
State ex rel. T.L.O. v. Engerud, 463 A.2d 934, 943–44 (N.J. 1983).
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purpose of the rule was deterrence, and, by definition, officers who violated the
Fourth Amendment before it applied to their conduct could not possibly be
deterred. But that, too, is a virus capable of killing the exclusionary rule. The
virus has escaped its quarantine in Herring v. United States. 66
Police arrested Herring on a warrant that had been recalled five months
earlier. Because of a police error, the recall did not appear in the database that the
police clerk consulted when the officer radioed to ask if there were outstanding
warrants on Herring. Unlike the other good faith cases, the error here was one
made by law enforcement. So we have an arrest based on a police mistake about
whether there was an outstanding arrest warrant. The Court affirmed the
conviction, painting with a broad brush when it explained the holding: “To trigger
the exclusionary rule, police conduct must be sufficiently deliberate that exclusion
can meaningfully deter it, and sufficiently culpable that such deterrence is worth
the price paid by the justice system.” 67 That statement suggests, for example, that
a police officer who negligently believes he has probable cause to arrest, when he
does not, has not committed a violation of the Fourth Amendment that requires
exclusion of the evidence found during the arrest.
To be sure, the best reading of the holding is much narrower, as Albert
Alschuler, Orin Kerr, and Wayne LaFave, among others, have noted. 68 The narrow
holding is stated at the close of the second paragraph in the case: “Here the error
was the result of isolated negligence attenuated from the arrest. We hold that in
these circumstances the jury should not be barred from considering all the
evidence.” 69 This reading, which Alschuler characterizes as a minnow or a “little
blast,” would apply only to isolated book-keeping errors made by someone other
than the arresting officer.70 The “little blast” reading, which Orin Kerr has
embraced, makes Herring a “minor case.” 71
But I do not believe Herring will prove to be a minor case. As Wayne LaFave
notes, the analysis in Herring “far outruns the holding.”72 Alschuler argues
convincingly that the “big blast” statements that suggest tying exclusion to the
level of culpability of the officer are trial balloons to allow the issue to “percolate”
so that the Court can “gain the ‘wisdom’ of lower courts and commentators before
66
555 U.S. 135 (2009).
Id. at 144.
68
See Albert W. Alschuler, Herring v. United States: A Minnow or a Shark?, 7 OHIO ST. J.
CRIM. L. 463, 463–64 (2009); Wayne R. LaFave, The Smell of Herring: A Critique of the Court’s
Latest Assault on the Exclusionary Rule, 99 J. CRIM. L. & CRIMINOLOGY 757, 787 (2009); Orin Kerr,
Responding to Tom Goldstein on Herring, V OLOKH CONSPIRACY , (January 14, 2009 1:38pm),
http://www.volokh.com/archives/archive_2009_01_11-2009_01_17.shtml.
69
Herring, 555 U.S. at 137.
70
Alschuler, supra note 66, at 463. (“Minnow” appears in the title. For one use of “little
blast,” see id. at 475.).
71
Kerr, supra note 68.
72
LaFave, supra note 68, at 770.
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303
resolving it definitively.” 73 There is plenty of ammunition in Herring and an
earlier Roberts Court case, Hudson v. Michigan, 74 to support an exclusionary rule
revolution.
The issue in Hudson is quite narrow: whether to apply the exclusionary rule
when the police have a valid warrant but do not comply with the knock and
announce rule of Wilson v. Arkansas. 75 The holding that the exclusionary rule does
not apply to knock and announce violations is an example of the inevitable
discovery virus. Part of the Court’s rationale was that because the officers had a
search warrant, they would inevitably have discovered the evidence in the house;
that they failed to knock and announce was not viewed as causal. Justice Breyer’s
dissent, joined by three other members of the Court, complained that this was an
unorthodox application of inevitable discovery and of the theory of causation. 76 As
Wayne LaFave describes the Court’s theory that the violation did not cause the
police to seize the evidence: “If we hadn’t done it wrong, we would have done it
right.” 77 But the more unorthodox the application, the more it shows that the virus
is mutating.
Indeed, Hudson’s expansive dicta reads like an obituary for the exclusionary
rule. After noting Weeks and Mapp, the Court flatly asserts, without authority, that
“[s]uppression of evidence . . . has always been our last resort, not our first
impulse.” 78 The Court then repeats what it has said countless times about the
heavy costs of suppression. In the next section, the Court characterizes exclusion
as an anachronism in today’s world that is, it claims, friendlier to tort suits against
officers who violate the Fourth Amendment:
We cannot assume that exclusion in this context is necessary
deterrence simply because we found that it was necessary deterrence in
different contexts and long ago. That would be forcing the public today
to pay for the sins and inadequacies of a legal regime that existed almost
half a century ago. Dollree Mapp could not turn to Rev. Stat. § 1979, 42
U.S.C. § 1983, for meaningful relief; Monroe v. Pape, . . . which began
the slow but steady expansion of that remedy, was decided the same
Term as Mapp. It would be another 17 years before the § 1983 remedy
73
Alschuler, supra note 68, at 477.
547 U.S. 586 (2006).
75
514 U.S. 927 (1995).
76
The majority does not use the term “inevitable discovery” but speaks instead of
“attenuated” causation. See, e.g., Hudson, 547 U.S. at 603. The dissent, however, understands the
claim to be an inevitable discovery claim. See id. at 615–19 (Breyer, J., dissenting) (using “inevitable
discovery” seven times).
77
Wayne R. LaFave, 1 SEARCH AND SEIZURE: A TREATISE ON THE FOURTH AMENDMENT 347
(5th ed. Supp. 2012). LaFave quoted Judge Sam Ervin III, who used the phrase in United States v.
Thomas, 955 F.2d 207, 210 (4th Cir. 1992).
78
Hudson, 547 U.S. at 591.
74
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was extended to reach the deep pocket of municipalities . . . . Citizens
whose Fourth Amendment rights were violated by federal officers could
not bring suit until 10 years after Mapp, with this Court’s decision in
Bivens v. Six Unknown Fed. Narcotics Agents. 79
It is not, in the Court’s view, just the increasing availability of tort remedies
that makes exclusion less necessary today. There is also “the increasing
professionalism of police officers, including a new emphasis on internal police
discipline.” 80 The Court concluded as follows:
In sum, the social costs of applying the exclusionary rule to knockand-announce violations are considerable; the incentive to such
violations is minimal to begin with, and the extant deterrences against
them are substantial—incomparably greater than the factors deterring
warrantless entries when Mapp was decided. Resort to the massive
remedy of suppressing evidence of guilt is unjustified. 81
So Mapp is relegated to the “long ago” world in which there were no realistic
ways to achieve deterrence other than suppression. Let’s look again at what I think
is the key sentence from Herring: “To trigger the exclusionary rule, police conduct
must be sufficiently deliberate that exclusion can meaningfully deter it, and
sufficiently culpable that such deterrence is worth the price paid by the justice
system.” 82 There is a lot packed into that sentence. The focus on deliberate police
conduct raises the exclusion bar quite high. The Court uses the word “deliberate”
nine times in its opinion. The Court quoted Judge Henry Friendly’s argument for a
narrow application of Mapp: “[t]he beneficent aim of the exclusionary rule to deter
police misconduct can be sufficiently accomplished by a practice . . . outlawing
evidence obtained by flagrant or deliberate violation of rights.”83 The Court
stressed that Mapp was, after all, precisely that kind of case. 84 And Justice
Ginsburg’s dissent understands the majority to be threatening to limit the
exclusionary rule to “flagrant or deliberate misconduct.” 85
The other half of the Herring rationale is that the misconduct must be
“sufficiently culpable that such deterrence is worth the price paid by the justice
79
Id. at 597 (citations omitted).
Id. at 598.
81
Id. at 599.
82
Herring v. United States, 555 U.S. 135, 144 (2009).
83
Id. at 143 (brackets in original) (omission in original) (quoting Henry Friendly, The Bill of
Rights as a Code of Criminal Procedure, 53 CALIF. L. REV. 929, 953 (1965)).
84
Herring, 555 U.S. at 144.
85
Id. at 148 (Ginsburg, J., dissenting).
80
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MAPP V. OHIO: DOOMED FROM THE BEGINNING?
system.” 86 This fits like a glove with the first half of the rationale. Flagrant,
deliberate, and reckless police violations of the Fourth Amendment can be
deterred; they are also culpable. Negligent violations of the Fourth Amendment
are not, in individual cases, susceptible to deterrence, and they are less culpable
than violations that are deliberate or reckless.
Whether Herring winds up being a shark or a minnow, my point here is that
the “big blast” statements follow naturally from Peltier, decided more than three
decades earlier. The case I had never read until I read Maclin’s book is a clear and
direct bridge to Herring and perhaps to the future. Herring said, “[t]o trigger the
exclusionary rule, police conduct must be sufficiently deliberate that exclusion can
meaningfully deter it . . . .” Peltier said, “[i]f the purpose of the exclusionary rule
is to deter unlawful police conduct,” then the exclusionary rule should apply “only
if it can be said that the law enforcement officer had knowledge, or may properly
be charged with knowledge, that the search was unconstitutional under the Fourth
Amendment.” 87 All the exclusionary rule cases decided between Peltier and
Herring now might be quite beside the point.
William Rehnquist was a fierce opponent of the exclusionary rule. Recall his
memo to his colleagues in T.L.O. saying that he would “seize any opportunity to
limit the damage done by” Mapp. (P. 267.) His earliest public expression of views
on this issue occurred when he was an Assistant Attorney General in charge of the
Office of Legal Counsel in the early years of the Nixon presidency. 88 It is
conventional wisdom that Rehnquist failed to get the votes to overrule Mapp, as
his former clerk and my friend, the late Craig Bradley, said in 2005.89 And, to be
sure, Mapp has yet to be, and may never be, overruled. But 2005 was too early to
judge the effect of Rehnquist on the exclusionary rule. The full effect of
Rehnquist’s Peltier opinion was not visible until Herring in 2009. Building on the
Warren Court’s reluctance to embrace its own creation in Linkletter, Justice
Rehnquist in Peltier quite deliberately set the stage for Herring. And Herring sets
the stage for what I believe is the next step in the dismantling of Mapp.
Justice Clark’s opinion in Mapp was certainly a bad opinion, and Black’s
concurrence created even more problems. Mapp was unstable from the beginning,
and when the political climate shifted, its enemies exploited the weaknesses.
Mapp’s requirement of suppression is surely right on its facts involving flagrant,
abusive police misconduct, as the Court freely concedes in Herring. 90 But perhaps
it was a mistake to incorporate the robust federal exclusionary rule into the
Fourteenth Amendment. Perhaps Wolf was right when routine, good-faith
86
Id. at 144.
United States v. Peltier, 422 U.S. 531, 542 (1975).
88
WHSF: Dean: Box 24: Crime and the Rights of the Accused, NARA, 8–12.
89
Craig Bradley, Rehnquist’s Legacy, THE JURIST, (November
http://jurist.org/forum/2005/09/rehnquists-legacy.php.
90
See Herring, 555 U.S. at 144.
87
29,
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violations of the Fourth Amendment are concerned. It is perhaps a bridge too far
to force state courts to suppress reliable evidence of serious crimes when the
Fourth Amendment is silent as to remedy and the police are acting in good faith.
Given the language of the Court in Hudson and Herring, it is easy to imagine a
Fourth Amendment world in which facts similar to those in Mapp require state
courts to suppress evidence but not routine, good-faith police mistakes. Stay tuned
for the next chapter in the Mapp saga. Oh, and pick up a copy of Tracey Maclin’s
book so you can really understand the soap opera.
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